export const validStockSearchFilters = [
  "cost_of_revenue",
  "dividends_per_common_share",
  "earnings_per_share",
  "earnings_per_share_diluted",
  "ebit",
  "gross_profit",
  "income_tax_expense",
  "interest_expense",
  "net_income",
  "operating_expense",
  "operating_income",
  "research_and_development",
  "revenue",
  "selling_general_and_administrative_expenses",
  "weighted_average_shares",
  "accumulated_other_comprehensive_income",
  "cash_and_equivalents",
  "current_assets",
  "current_debt",
  "current_investments",
  "current_liabilities",
  "deferred_revenue",
  "deposit_liabilities",
  "goodwill_and_intangible_assets",
  "inventory",
  "investments",
  "non_current_assets",
  "non_current_debt",
  "non_current_investments",
  "non_current_liabilities",
  "outstanding_shares",
  "property_plant_and_equipment",
  "retained_earnings",
  "shareholders_equity",
  "tax_assets",
  "tax_liabilities",
  "total_assets",
  "total_debt",
  "total_liabilities",
  "trade_and_non_trade_payables",
  "trade_and_non_trade_receivables",
  "business_acquisitions_and_disposals",
  "capital_expenditure",
  "change_in_cash_and_equivalents",
  "depreciation_and_amortization",
  "dividends_and_other_cash_distributions",
  "effect_of_exchange_rate_changes",
  "investment_acquisitions_and_disposals",
  "issuance_or_purchase_of_equity_shares",
  "issuance_or_repayment_of_debt_securities",
  "net_cash_flow_from_financing",
  "net_cash_flow_from_investing",
  "net_cash_flow_from_operations",
  "share_based_compensation",
  "market_cap",
  "enterprise_value",
  "price_to_earnings_ratio",
  "price_to_book_ratio",
  "price_to_sales_ratio",
  "enterprise_value_to_ebitda_ratio",
  "enterprise_value_to_revenue_ratio",
  "free_cash_flow_yield",
  "peg_ratio",
  "gross_margin",
  "operating_margin",
  "net_margin",
  "return_on_equity",
  "return_on_assets",
  "return_on_invested_capital",
  "asset_turnover",
  "inventory_turnover",
  "receivables_turnover",
  "days_sales_outstanding",
  "operating_cycle",
  "working_capital_turnover",
  "current_ratio",
  "quick_ratio",
  "cash_ratio",
  "operating_cash_flow_ratio",
  "debt_to_equity",
  "debt_to_assets",
  "interest_coverage",
  "revenue_growth",
  "earnings_growth",
  "book_value_growth",
  "earnings_per_share_growth",
  "free_cash_flow_growth",
  "operating_income_growth",
  "ebitda_growth",
  "payout_ratio",
  "earnings_per_share",
  "book_value_per_share",
  "free_cash_flow_per_share"
];
